Finance Manager at Naukrigulf
Dubai, Dubai, United Arab Emirates -
Full Time


Start Date

Immediate

Expiry Date

03 Dec, 26

Salary

0.0

Posted On

04 Sep, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

Yes

Skills

Industry

Real Estate Brokerage & Services

Description

Job Description

Roles & Responsibilities

We Are Seeking a Finance Manager to Join Our Team! Maven Insights is a leading management consulting firm with extensive experience working with and delivering value to large organizations across 11 sectors. Our team of experts combine academic, industry, and consultancy experience in Business Transformation , Commercial Excellence , Customer Experience (CX), Employee Experience (EX), and Mergers and Acquisitions for a network of reputable clients and partners in the EMEA region. We initiate bold ideas, we care deeply about our clients and our people, we reason with clarity and purpose, we team up to achieve shared success, and we enjoy the journey every step of the way. These are the driving values that shape the way we work and the impact we create. To learn more about Maven Insights, visit our website here . Job Summary: The Finance Manager will serve as a strategic finance leader responsible for managing the company's treasury, financial planning, reporting, taxation, audit, and corporate governance functions. The role will oversee liquidity management, financing relationships, budgeting, profitability analysis, IFRS compliance, and financial controls while supporting business growth and operational excellence. Working closely with executive management, the Finance Manager will provide financial leadership, commercial insight, and data-driven recommendations to support strategic initiatives, optimize working capital, and ensure the organization's long-term financial health and regulatory compliance.

Job Responsibilities:

  • Lead treasury management, cash flow forecasting, liquidity monitoring, and working capital optimization.
  • Manage banking relationships, financing facilities, guarantees, bonds, and corporate banking requirements.
  • Prepare monthly management accounts, P&L reports, profitability analysis, financial models, and business performance reviews.
  • Oversee monthly and year-end financial close processes, ensuring compliance with IFRS and internal controls.
  • Review revenue recognition, sales reporting, collection forecasts, and balance sheet reconciliation.
  • Lead external audits, statutory financial reporting, and IFRS compliance activities.
  • Manage tax compliance, including VAT, WHT, Corporate Income Tax, Transfer Pricing, and regulatory filings.
  • Drive annual budgeting, forecasting, financial planning, and scenario analysis.
  • Oversee inter company accounting, transfer pricing compliance, and group reporting requirements.
  • Lead ERP governance, process improvements, automation initiatives, and finance transformation projects.
  • Support corporate governance, legal entity management, restructuring activities, and regulatory compliance.
  • Manage financial controls, corporate credit cards, incentive schemes, and compensation-related financial planning.
  • Partner with senior management to provide financial insights, support strategic decision-making, and drive business growth.

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Responsibilities
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